GreenPoint Home Equity Loan Trust 2001-1 Monthly Certificate Payment Statement (November 15, 2001)
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Summary
This document is a monthly payment statement for the GreenPoint Home Equity Loan Trust 2001-1, detailing the distribution of payments to holders of asset-backed certificates for the period ending November 15, 2001. The statement lists the parties involved, including GreenPoint Mortgage as the seller and servicer, Deutsche Bank as administrator, and Lehman Brothers as underwriter. It provides a breakdown of principal and interest payments, outstanding balances, and collection account activity for the trust's home equity loan assets.
EX-10.1 3 dex101.txt MONTHLY PAYMENT DATE STATEMENT Exhibit 10.1 CONTACTS - ------------------------------------------------------------------------------- Administrator: Barbara A Campbell Direct Phone No: (714 ###-###-#### Address: Deutsche Bank 1761 E. St. Andrew Place Santa Ana, CA 92705 Web Site: http://www-apps.gis.deutsche-bank.com/invr Factor Information: (800) 735-7777 Main Phone No: (714) 247-6000 - ------------------------------------------------------------------------------- ISSUANCE INFORMATION
GreenPoint Home Equity Loan Trust 2001-1 Home Equity Loan Asset-Backed Certificates Series 2001-1 Certificate Payment Report for November 15, 2001 Distribution
- -------------------------------------------------------------------------------- Collection Account Report - -------------------------------------------------------------------------------- SUMMARY POOL II POOL I TOTAL - -------------------------------------------------------------------------------- Net Principal Collections 5,068,574.84 9,123,253.74 14,191,828.58 TOTAL PRINCIPAL 5,068,574.84 9,123,253.74 14,191,828.58 Interest Collections 741,692.16 1,374,671.35 2,116,363.51 Interest Fees (13,681.25) (24,687.88) (38,369.13) TOTAL INTEREST 728,010.91 1,349,983.47 2,077,994.38 TOTAL AVAILABLE FUNDS 5,796,585.75 10,473,237.21 16,269,822.96 - -------------------------------------------------------------------------------- PRINCIPAL - COLLECTIONS POOL II POOL I TOTAL - -------------------------------------------------------------------------------- Principal Collections 6,841,446.38 10,414,824.45 17,256,270.83 Repurchases/Substitutions 0.00 0.00 0.00 Liquidations 77,866.50 559,380.93 637,247.43 Insurance Principal 0.00 0.00 0.00 Liquidation Loss Amounts 0.00 0.00 0.00 Additional Balances (1,850,738.04) (1,850,951.64) (3,701,689.68) TOTAL PRINCIPAL COLLECTED 5,068,574.84 9,123,253.74 14,191,828.58 - -------------------------------------------------------------------------------- PRINCIPAL - WITHDRAWALS POOL II POOL I TOTAL - -------------------------------------------------------------------------------- SPACE INTENTIONALLY LEFT BLANK - -------------------------------------------------------------------------------- PRINCIPAL - OTHER ACCOUNTS POOL II POOL I TOTAL - -------------------------------------------------------------------------------- SPACE INTENTIONALLY LEFT BLANK - -------------------------------------------------------------------------------- INTEREST - COLLECTIONS POOL II POOL I TOTAL - -------------------------------------------------------------------------------- Interest Collections 779,697.83 1,439,777.09 2,219,474.92 Repurchases/Substitutions 0.00 0.00 0.00 Liquidations 630.39 4,646.43 5,276.82 Insurance Interest 0.00 0.00 0.00 Other Additional Interest 0.00 0.00 0.00 Current Servicing Fee (38,636.06) (69,752.17) (108,388.23) TOTAL INTEREST 741,692.16 1,374,671.35 2,116,363.51 - -------------------------------------------------------------------------------- INTEREST - WITHDRAWALS POOL II POOL I TOTAL - -------------------------------------------------------------------------------- SPACE INTENTIONALLY LEFT BLANK - -------------------------------------------------------------------------------- INTEREST - OTHER ACCOUNTS POOL II POOL I TOTAL - -------------------------------------------------------------------------------- SPACE INTENTIONALLY LEFT BLANK - -------------------------------------------------------------------------------- INTEREST - FEES POOL II POOL I TOTAL - -------------------------------------------------------------------------------- Trustee Fee 618.18 1,116.03 1,734.21 Certificate Insurer Premium 2,884.78 23,250.14 36,134.92 Management Fee 178.29 321.71 500.00 TOTAL INTEREST FEES 3,681.25 24,687.88 38,369.13 - --------------------------------------------------------------------------------
Note: Original information refers to deal issue.
Note: Current = 0-29days, 1 Payment = 30-59days, 2 Payments = 60-89days, 3+ Payments = 90+
- -------------------------------------------------------------------------------- Prepayment Report - Voluntary Prepayments - --------------------------------------------------------------------------------
PREPAYMENT CALCULATION METHODOLOGY - ------------------------------------------------------------------------------- Single Monthly Mortality (SMM): (Voluntary partial and full prepayments + Repurchases)/(Beg Principal Balance - Sched Principal) Conditional Prepayment Rate (CPR): 1-((1-SMM) 12) PSA Standard Prepayment Model: CPR/(0.02*min(30,WAS)) Average SMM over period between nth month and mth month (AvgSMMn,m): [(1-SMMn)*(1-SMMn+1)*......*(1-SMMm)] (1/months in period n,m) Average CPR over period between the nth month and mth month (AvgCPRn,m): 1-((1-AvgSMMn,m) 12) Average PSA Approximation over period between the nth month and mth month: AvgCPRn,m/(0.02*Avg WASn,m)) Average WASn,m: (min(30,WASn)+min(30,WASn+1)+......+min(30,WASm)/(number of months in the period n,m) Weighted Average Seasoning (WAS) Note: Prepayment rates are calculated since deal issue date and include partial and full voluntary prepayments and repurchases. Dates correspond to distribution dates - ------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- Realized Loss Report - Collateral - --------------------------------------------------------------------------------
** = less than - -------------------------------------------------------------------------------- Realized Loss Detail Report - Loans Liquidated During Current Distribution - --------------------------------------------------------------------------------
- -------------------------------------------------------------------------------- Triggers, Adj. Rate Cert. and Miscellaneous Report - --------------------------------------------------------------------------------